REMIC Securities MX Securities Class Original Class Principal Balance or Class Notional Balance Related MX Class Maximum Original Class Principal Balance or Class Notional Balance(2) Principal Type(3) Interest Rate Interest Type(3) CUSIP Number Final Distribution Date(4) Combination 42 EB $ 6,666,667 QL $ 6,666,667 PAC/AD (7) INV 38374FL36 March 2034 QB 20,000,001 Combination 43 EB $ 6,666,667 QM $ 6,666,667 PAC/AD (7) INV 38374FL44 March 2034 QB 26,666,668 Combination 44 EB $ 6,666,667 QD $ 6,666,667 PAC/AD (7) INV 38374FL51 March 2034 QB 40,000,000 Security Group 6 Combination 45 BD $ 5,400,000 BG $  10,000,000 SC/PT 5.00% FIX 38374FL69 April 2033 BE 4,600,000 Security Group 7 Combination 46 FI $  82,389,825 LA $164,779,650 SEQ 3.50% FIX 38374FL77 March 2029 LP 164,779,650 QI 82,389,825 Combination 47 FI $  94,159,800 LB $164,779,650 SEQ 4.00% FIX 38374FL85 March 2029 LP 164,779,650 QI 94,159,800 Combination 48 FI $105,929,775 LC $164,779,650 SEQ 4.50% FIX 38374FL93 March 2029 LP 164,779,650 QI 105,929,775 Combination 49 FI $117,699,750 LD $164,779,650 SEQ 5.00% FIX 38374FM27 March 2029 LP 164,779,650 QI 117,699,750 Combination 50 FI $117,699,750 LF $117,699,750 SEQ (7) FLT 38374FM35 March 2029 LP 117,699,750 Combination 51 LP $  47,079,900 LS $  47,079,900 SEQ (7) INV 38374FM43 March 2029 QI 117,699,750 B-165